Obbligazioni societarie Obbligazioni BENI STABILI 4,125% Euro 2018 - XS1019171427

qquebec

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Borrower Beni Stabili SPA BNSI.MI
Issue Amount 350 million euro
Maturity Date January 22, 2018
Coupon 4.125 pct
Issue price Par
Spread 318.1 basis point
Underlying govt bond Over Mid-swaps, equivalent to 257.2bp
Over the 4.0 pct Due 2018 bund
Payment Date January 22, 2014
Lead Manager(s) Credit Agricole CIB, JP Morgan, Mediobanca & Unicredit
Full fees Undisclosed
Isin XS1019171427

http://www.benistabili.it/filecat/2834_L0_F4_Pillar - press release pricing (ITA).pdf

Obbligazioni Beni Stabili, una scommessa sulla ripresa del mattone
 
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